AUTHOR INDEX OF VOLUME XXXVIII, 2015

DOIhttp://doi.org/10.1111/jfir.12086
Date01 December 2015
Published date01 December 2015
529
© 2015 The Southern Finance Association and the Southwestern Finance Association
The Journal of Financial Research Vol. XXXVIII, No. 4 Pages 529–531 Winter 2015
Blau, Benjamin M., J. Michael Pinegar, and Ryan J. Whitby. Skewness and the Asymmetry in Earnings
Announcement Returns. Volume XXXVIII, No. 2, Pages 145–168.
Boubakri, Narjess, Sadok El Ghoul, Omrane Guedhami, and Anis Samet. The Effects of Analyst Forecast
Properties and Country-Level Institutions on the Cost of Debt Volume XXXVIII, No. 4, Pages 461–493.
Chen, K. C., Frank J. Fabozzi, K. C. Ma, and Jessica West. In Search of Cash-Flow Pricing. Volume
XXXVIII, No. 4, Pages 511–527.
Chen, Yangyang. Funding Status of Defi ned Benefi t Pension Plans and Idiosyncratic Return Volatility.
Volume XXXVIII, No. 1, Pages 35–57.
El Ghoul, Sadok, Narjess Boubakri, Omrane Guedhami, and Anis Samet. The Effects of Analyst Forecast
Properties and Country-Level Institutions on the Cost of Debt. Volume XXXVIII, No. 4, Pages 461–
493.
Fabozzi, Frank J., K. C. Chen, K. C. Ma, and Jessica West. In Search of Cash-Flow Pricing. Volume
XXXVIII, No. 4, Pages 511–527.
Fink, Matthias, Andrea Moro, and Daniela Maresch. Reduction in Information Asymmetry and Credit
Access for Small and Medium-Sized Enterprises. Volume XXXVIII, No. 1, Pages 121–143.
Guedhami, Omrane, Narjess Boubakri, Sadok El Ghoul, and Anis Samet. The Effects of Analyst Forecast
Properties and Country-Level Institutions on the Cost of Debt. Volume XXXVIII, No. 4, Pages 461–
493.
Hill, Matthew D., G. W. Kelly, and Vinod Venkiteshwaran. On the Diminishing Return to Trade Credit.
Volume XXXVIII, No. 3, Pages 305–317.
Huang, Henry H., Hung-Yi Huang, and Jeffrey J. Oxman. Stock Liquidity and Corporate Bond Yield
Spreads: Theory and Evidence. Volume XXXVIII, No. 1, Pages 59–91.
Huang, Hung-Yi, Henry H. Huang, and Jeffrey J. Oxman. Stock Liquidity and Corporate Bond Yield
Spreads: Theory and Evidence. Volume XXXVIII, No. 1, Pages 59–91.
Jha, Anand, Siddharth Shankar, and Arun Prakash. Effect of Bank Monitoring on Earnings Management of
the Borrowing Firm: An Empirical Investigation. Volume XXXVIII, No. 2, Pages 219–253.
Jiao, Jie, and An Yan. Convertible Securities and Heterogeneity of Investor Beliefs. Volume XXXVIII,
No. 2, Pages 255–281.
Jindra, Jan, and Thomas Moeller. Target Financial Independence and Takeover Pricing. Volume XXXVIII,
No. 3, Pages 379–413.
Kelly, G. W., Matthew D. Hill, and Vinod Venkiteshwaran. On the Diminishing Return to Trade Credit.
Volume XXXVIII, No. 3, Pages 305–317.
Kerl, Alexander, and Martin Ohlert. Star-Analysts’ Forecast Accuracy and the Role of Corporate Governance.
Volume XXXVIII, No. 1, Pages 93–120.
Liao, Li-Kai (Connie), Tarun Mukherjee, and Wei Wang. Corporate Governance and Capital Structure
Dynamics: An Empirical Study. Volume XXXVIII, No. 2, Pages 169–191.
Liu, Chang, and Donna L. Paul. A New Perspective on Director Busyness. Volume XXXVIII, No. 2, Pages
193–217.
Livingston, Miles, and Lei Zhou. Brokerage Commissions and Mutual Fund Performance. Volume
XXXVIII, No. 3, Pages 283–303.
AUTHOR INDEX OF VOLUME XXXVIII, 2015

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